Senior Accountant

Paceline Companies

Houston (TX)

On-site

USD 75,000 - 110,000

Full time

45 hours ago
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Benefits offered by this job

Medical
Dental
Vision
401k
Paid Time Off

Job summary

Paceline Companies in Houston is seeking an accounting professional to manage journal postings, balance sheet reconciliations, and month-end close for a multi-entity setup with intercompany activity.

You will support acquisition accounting, partner with cross-functional teams to enable scaling, and help strengthen internal controls while contributing to ERP NetSuite projects and data cleanup.

Qualifications

  • Bachelor's degree in Accounting or Finance required.
  • Experience in a multi-entity environment with intercompany accounting exposure.
  • Exposure to growth-minded private equity-backed companies with M&A experience.
  • Experience with ERP (NetSuite) implementation or large-scale system/process changes.
  • Strong Excel skills and ability to work with large datasets in Power BI.
  • Strong attention to detail with ability to manage both recurring and project-based work.

Responsibilities

  • Prepare and review journal entries across multiple legal entities and reporting units.
  • Own balance sheet reconciliations, including intercompany activity and consolidation.
  • Support month-end close and financial reporting in a fast-paced environment.
  • Assist with acquisition accounting and integration activities for newly acquired entities.
  • Partner cross-functionally to support operational and financial scaling.
  • Contribute to process improvements, standardization and internal controls.
  • Support ERP (NetSuite) and system-related projects, including data cleanup and implementations.
  • Assist with audits and prepare audit-ready documentation.
  • Participate in special projects related to acquisitions and bank consolidation.

Skills

Intercompany accounting
Financial reporting
Attention to detail

Education

Bachelor's degree in Accounting or Finance
CPA is a plus

Tools

NetSuite ERP
Power BI
Excel

Job description

Location: Houston/Spring 820 FM 1960 Rd E. Houston, TX 77073


Benefits offered: Medical, Dental, Vision, 401k, and Paid Time Off


What You'll Do


  • Prepare and review journal entries across multiple legal entities and reporting units

  • Own balance sheet reconciliations, including intercompany activity and consolidation

  • Support month-end close and financial reporting in a fast-paced environment

  • Assist with acquisition accounting and integration activities for newly acquired entities

  • Partner cross-functionally to support operational and financial scaling

  • Contribute to process improvements, standardization and internal controls

  • Support ERP (NetSuite) and system-related projects, including data cleanup and implementations

  • Assist with audits and prepare audit-ready documentation

  • Participate in special projects related to acquisitions and bank consolidation


What We're Looking For


  • Bachelor's degree in Accounting or Finance, CPA is a plus

  • Experience in a multi-entity environment with intercompany accounting exposure

  • Exposure to growth minded private equity-backed companies with M&A experience

  • Experience with ERP (NetSuite) implementation or large-scale system/process changes

  • Strong Excel skills and ability to work with large datasets in Power BI

  • Strong attention to detail with ability to manage both recurring and project-based work


We are a private equity–backed automotive services organization operating within the vehicle reconditioning industry. The company provides a range of onsite services to automotive dealerships. The organization operates across multiple states and legal entities and continues to expand through a combination of organic growth and strategic acquisitions. The business is executing an active acquisition strategy, integrating new platforms and operations into a growing national footprint. Our corporate accounting team supports a multi-entity environment and works closely with executive leadership to ensure scalable financial processes and accurate reporting.

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